Shalimar Paints Limited

NSE:SHALPAINTS.NS

140.06 (INR) • At close September 19, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) INR.

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst -731.85-361.5-642.333-237.817-561.566-1,090.976-673.695-104.77142.835-148.476-36.002156.632209.574166.389171.60184.26144.8181.184
Afschrijvingen & Amortisatie 148.4127134.588133.171108.5484.90478.79642.45850.43447.57636.77138.40942.9833.97333.81933.99930.53226.683
Uitgestelde Inkomstenbelasting 013.99771.666-2.067264.643287.9346.548-1.308-0.699-0.62100000000
Aandelen Gebaseerde Vergoedingen 19.1-0.497-0.78-0.814-0.156-0.566-0.721.3080.6990.62100000000
Verandering in Werkkapitaal 663.7-365.7-152.35774.559-96.373-588.891691.717147.409-92.495253.793-72.676-55.709-198.862-207.995-26.11311.66-68.627-124.965
Vorderingen -23.2-289.338-7.851-81.85611.983-81.692335.662-0.68867.9261.477-278.204-306.98000000
Voorraden -28.9-222.2-133.498-21.921-152.578-89.047185.468183.679-49.423153.735106.128-261.536-226.959-202.663-122.766119.103-41.673-85.972
Crediteuren 347.744.024-143.045116.01667.66-403.112170.5874.791-110.992-61.477278.204306.98000000
Overig Werkkapitaal 368.1101.814132.03762.32-23.438-15.040-40.373038.58199.4512.80728.097-5.33296.653-107.443-26.954-38.993
Overige Niet-Contante Posten 52.25107.4185.881190.541191.951349.585254.57209.287229.653226.102175.212116.97560.70669.10958.58161.65144.49638.502
Kasstroom uit Operationele Activiteiten 131.3-479.3-403.335157.573-92.961-958.01357.216295.691231.126379.616103.305256.307114.39861.476237.888191.57151.21121.404
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -572.1-111.8-48.201-33.495-327.717-315.358-144.474-102.89-83.822-283.056-136.656-106.257-36.167-52.384-99.238-142.191-76.91-39.269
Netto Overnames 15.70.1522.1360007.403-1200.763000000000
Aankoop van Beleggingen -37.3-754.1-48.7-31.7280-15.762-1.492-155.3340000000-200
Verkoop/verval van Beleggingen 0-0.152-2.136037.856029.53395.320000000000
Overige Investeringsactiviteiten 58.628.164.2131.22710.89210.6833.749203.1332.53125.25972.2072.621.21914.50517.43475.79416.86516.55
Kasstroom uit Investeringsactiviteiten -593.7-837.8-32.688-63.996-278.969-320.437-105.281-79.771-80.528-257.797-64.449-103.637-34.948-37.879-81.804-68.397-60.045-22.719
Financieringsactiviteiten:
Schuldaflossingen -357-283.2-515-79.143-316.123-267.135-83.32-34.809-151.402-64.952-63.858-69.565000-0.199-44.213-45.071
Uitgifte van Gewone Aandelen 233752,150057.0352,506.054000000000000
Terugkoop van Gewone Aandelen 000000000000000000
Uitgekeerde Dividenden 00000000000-37.856-35.057-33.106-13.28-30.763-21.942-14.941
Overige Financieringsactiviteiten 1,102-160.5420.594-16.004-198.525-258.609-177.571-186.01-70.111-156.717-145.81-95.748-18.35114.054-139.289-87.491-5.6884.843
Kasstroom uit Financieringsactiviteiten 753.8-68.72,055.594-95.147-457.6131,980.31-177.571-186.01-70.111-156.717-145.81-133.604-53.408-19.052-152.569-118.453-71.83524.831
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00.09-48.23100.0020000000000000
Netto Kasstroomverandering 349.612-1,385.81,619.571-1.57-829.542701.86374.36429.9180.487-34.898-106.95419.06626.0424.5453.5154.7219.33123.516
Kaspositie aan het Einde van de Periode 561.8212.11,646.0926.51928.089857.631155.768120.1890.279.78344.681151.635132.569106.527140.652137.137132.417113.086